President and Founder, International Center for Law & Economics
Geoffrey A. Manne is the president and founder of the International Center for Law and Economics (ICLE), a nonprofit, nonpartisan research center based in Portland, Oregon. He is also a distinguished fellow at Northwestern Law School’s Searle Center on Law, Regulation, & Economic Growth. In April 2017 he was appointed by FCC Chairman Ajit Pai to the FCC’s Broadband Deployment Advisory Committee, and he recently served for two years on the FCC’s Consumer Advisory Committee.
Mr. Manne earned his JD and AB degrees from the University of Chicago and is an expert in the economic analysis of law, specializing in competition, telecommunications, consumer protection, intellectual property, and technology policy.
Prior to founding ICLE, Manne was a law professor at Lewis & Clark Law School. From 2006-2009, he took a leave from teaching to develop Microsoft’s law and economics academic outreach program. Manne has also served as a lecturer in law at the University of Chicago Law School and the University of Virginia School of Law. He practiced antitrust law and appellate litigation at Latham & Watkins, clerked for Hon. Morris S. Arnold on the 8th Circuit Court of Appeals, and worked as a research assistant for Judge Richard Posner. He was also once (very briefly) employed by the FTC.
Mr. Manne’s publications have appeared in numerous journals including the Journal of Competition Law and Economics, the Harvard Journal of Law and Technology, the Supreme Court Economic Review, and the Arizona Law Review, among others. With former FTC Commissioner, Joshua Wright, Manne is the editor of a volume from Cambridge University Press entitled, Competition Policy and Intellectual Property Law Under Uncertainty: Regulating Innovation. Manne has also testified on several occasions before Congress and at the FCC and FTC, and he regularly files written comments and amicus briefs on key antitrust, IP, and telecommunications issues. His analysis is frequently published in popular print and broadcasting outlets such as the Wall Street Journal, Wired, Foreign Affairs, NPR, and Bloomberg, among others.
Manne is a member of the American Law and Economics Association, the Canadian Law and Economics Association, and the Society for Institutional & Organizational Economics. He blogs at Truth on the Market (www.truthonthemarket.com) (of which he is also the co-founder), is a contributor at WIRED, and tweets at @geoffmanne. His scholarly publications are available at http://ssrn.com/author=175541.
Professor of the Practice of Law, Stanford Law School
Doug Melamed practiced law for 43 years before spending the 2014-15 academic year at the Law School as the Herman Phleger Visiting Professor of Law. He was appointed Professor of the Practice of Law in 2015.
From 2009 until 2014, Professor Melamed was Senior Vice President and General Counsel of Intel Corporation and was responsible for overseeing Intel’s legal, government affairs and corporate affairs departments. Prior to joining Intel in 2009, he was a partner in the Washington, D.C., office of WilmerHale, a global law firm in which he served as a chair of the Antitrust and Competition Practice Group. His practice included appellate and trial court litigation, counseling, and representing clients in matters before government law enforcement and regulatory agencies. He joined WilmerHale’s predecessor in 1971. From 1996 to 2001, Professor Melamed served in the U.S. Department of Justice as Acting Assistant Attorney General in charge of the Antitrust Division and, before that, as Principal Deputy Assistant Attorney General.
Professor Melamed has received numerous professional awards and honors. He has been the Distinguished Visitor from Practice and an adjunct professor at the Georgetown University Law Center, and he has authored numerous articles on antitrust and on law and economics. He is a member of the boards of directors of the Nasdaq exchanges and the American Law Institute and a Contributing Editor of the Antitrust Law Journal. He was for many years a member of the Yale University Council and a member of the board of trustees of Sidwell Friends School in Washington, D.C. After graduating from law school, he clerked for Judge Charles M. Merrill of the U.S. Court of Appeals for the Ninth Circuit.
James A. Thomas Distinguished Professor of Law and Faculty Director, Cleveland-Marshall Solo Practice Incubator, Cleveland-Marshall College of Law, Cleveland State University
Chris Sagers, the James A. Thomas Distinguished Professor of Law and Faculty Director of the Cleveland-Marshall Solo Practice Incubator, joined the faculty in the fall of 2002. He has taught courses in Antitrust, Banking Regulation, Business Organizations, Law & Economics, Administrative Law, Legislation and the Regulatory State, and a seminar concerning the theory of the firm. He has testified before the U.S. Congress and the Antitrust Modernization Commission. He is author of Apple, Antitrust, and Irony (Harvard Univ. Press 2016) and Antitrust Examples & Explanations, co-author (with Theresa Gabaldon of George Washington University) of a casebook on business organizations from Aspen Publishing, and co-author of Sullivan, Grimes & Sagers, The Law of Antitrust, a leading hornbook. His articles have appeared in the Georgetown Law Journal, UCLA Law Review, and other leading journals. He has been quoted in the New York Times, Wall Street Journal, Cleveland Plain Dealer, The Huffington Post, and National Public Radio, and he is a frequent panelist and lecturer.
He frequently participates in important antitrust litigation, by consulting with plaintiffs and enforcement officials pro bono and authoring briefs amicus curiae in federal courts of appeals. He is a member of the American Law Institute, a Senior Fellow of the American Antitrust Institute, and a leadership member of the ABA Antitrust Section. In 2015 he was awarded the University's campus-wide Distinguished Research Award for Faculty. The law school's alumni association has awarded him the Walter G. Stapleton Award for Faculty Excellence and he has twice been elected Teacher of the Year by the students at large.
Before joining the faculty, Professor Sagers practiced law for four years in Washington, D.C., first at Arnold & Porter and then at Shea & Gardner. He earned his law and public policy degrees at the University of Michigan and was an editor of the Michigan Law Review. Hailing originally from the peaceful obscurity of small-town Iowa, Professor Sagers lives with his wife and two sons in the nicest little town in America, Cleveland Heights, Ohio.
Associate, Pallas Partners LLP
Brianna represents plaintiffs and defendants at all stages of complex commercial litigation. She has particular experience in antitrust, capital markets, and cross border litigation.
Brianna’s recent experience includes representing institutional investors in connection with appraisal litigation in the Cayman Islands and Japan, including in precedent-setting Section 1782 discovery proceedings in federal courts across the United States.
Brianna formerly clerked for Judge Charles R. Wilson of the U.S. Court of Appeals for the Eleventh Circuit.
Associate, Pallas Partners LLP
Brianna represents plaintiffs and defendants at all stages of complex commercial litigation. She has particular experience in antitrust, capital markets, and cross border litigation.
Brianna’s recent experience includes representing institutional investors in connection with appraisal litigation in the Cayman Islands and Japan, including in precedent-setting Section 1782 discovery proceedings in federal courts across the United States.
Brianna formerly clerked for Judge Charles R. Wilson of the U.S. Court of Appeals for the Eleventh Circuit.
President and Founder, International Center for Law & Economics
Geoffrey A. Manne is the president and founder of the International Center for Law and Economics (ICLE), a nonprofit, nonpartisan research center based in Portland, Oregon. He is also a distinguished fellow at Northwestern Law School’s Searle Center on Law, Regulation, & Economic Growth. In April 2017 he was appointed by FCC Chairman Ajit Pai to the FCC’s Broadband Deployment Advisory Committee, and he recently served for two years on the FCC’s Consumer Advisory Committee.
Mr. Manne earned his JD and AB degrees from the University of Chicago and is an expert in the economic analysis of law, specializing in competition, telecommunications, consumer protection, intellectual property, and technology policy.
Prior to founding ICLE, Manne was a law professor at Lewis & Clark Law School. From 2006-2009, he took a leave from teaching to develop Microsoft’s law and economics academic outreach program. Manne has also served as a lecturer in law at the University of Chicago Law School and the University of Virginia School of Law. He practiced antitrust law and appellate litigation at Latham & Watkins, clerked for Hon. Morris S. Arnold on the 8th Circuit Court of Appeals, and worked as a research assistant for Judge Richard Posner. He was also once (very briefly) employed by the FTC.
Mr. Manne’s publications have appeared in numerous journals including the Journal of Competition Law and Economics, the Harvard Journal of Law and Technology, the Supreme Court Economic Review, and the Arizona Law Review, among others. With former FTC Commissioner, Joshua Wright, Manne is the editor of a volume from Cambridge University Press entitled, Competition Policy and Intellectual Property Law Under Uncertainty: Regulating Innovation. Manne has also testified on several occasions before Congress and at the FCC and FTC, and he regularly files written comments and amicus briefs on key antitrust, IP, and telecommunications issues. His analysis is frequently published in popular print and broadcasting outlets such as the Wall Street Journal, Wired, Foreign Affairs, NPR, and Bloomberg, among others.
Manne is a member of the American Law and Economics Association, the Canadian Law and Economics Association, and the Society for Institutional & Organizational Economics. He blogs at Truth on the Market (www.truthonthemarket.com) (of which he is also the co-founder), is a contributor at WIRED, and tweets at @geoffmanne. His scholarly publications are available at http://ssrn.com/author=175541.
Professor of the Practice of Law, Stanford Law School
Doug Melamed practiced law for 43 years before spending the 2014-15 academic year at the Law School as the Herman Phleger Visiting Professor of Law. He was appointed Professor of the Practice of Law in 2015.
From 2009 until 2014, Professor Melamed was Senior Vice President and General Counsel of Intel Corporation and was responsible for overseeing Intel’s legal, government affairs and corporate affairs departments. Prior to joining Intel in 2009, he was a partner in the Washington, D.C., office of WilmerHale, a global law firm in which he served as a chair of the Antitrust and Competition Practice Group. His practice included appellate and trial court litigation, counseling, and representing clients in matters before government law enforcement and regulatory agencies. He joined WilmerHale’s predecessor in 1971. From 1996 to 2001, Professor Melamed served in the U.S. Department of Justice as Acting Assistant Attorney General in charge of the Antitrust Division and, before that, as Principal Deputy Assistant Attorney General.
Professor Melamed has received numerous professional awards and honors. He has been the Distinguished Visitor from Practice and an adjunct professor at the Georgetown University Law Center, and he has authored numerous articles on antitrust and on law and economics. He is a member of the boards of directors of the Nasdaq exchanges and the American Law Institute and a Contributing Editor of the Antitrust Law Journal. He was for many years a member of the Yale University Council and a member of the board of trustees of Sidwell Friends School in Washington, D.C. After graduating from law school, he clerked for Judge Charles M. Merrill of the U.S. Court of Appeals for the Ninth Circuit.
James A. Thomas Distinguished Professor of Law and Faculty Director, Cleveland-Marshall Solo Practice Incubator, Cleveland-Marshall College of Law, Cleveland State University
Chris Sagers, the James A. Thomas Distinguished Professor of Law and Faculty Director of the Cleveland-Marshall Solo Practice Incubator, joined the faculty in the fall of 2002. He has taught courses in Antitrust, Banking Regulation, Business Organizations, Law & Economics, Administrative Law, Legislation and the Regulatory State, and a seminar concerning the theory of the firm. He has testified before the U.S. Congress and the Antitrust Modernization Commission. He is author of Apple, Antitrust, and Irony (Harvard Univ. Press 2016) and Antitrust Examples & Explanations, co-author (with Theresa Gabaldon of George Washington University) of a casebook on business organizations from Aspen Publishing, and co-author of Sullivan, Grimes & Sagers, The Law of Antitrust, a leading hornbook. His articles have appeared in the Georgetown Law Journal, UCLA Law Review, and other leading journals. He has been quoted in the New York Times, Wall Street Journal, Cleveland Plain Dealer, The Huffington Post, and National Public Radio, and he is a frequent panelist and lecturer.
He frequently participates in important antitrust litigation, by consulting with plaintiffs and enforcement officials pro bono and authoring briefs amicus curiae in federal courts of appeals. He is a member of the American Law Institute, a Senior Fellow of the American Antitrust Institute, and a leadership member of the ABA Antitrust Section. In 2015 he was awarded the University's campus-wide Distinguished Research Award for Faculty. The law school's alumni association has awarded him the Walter G. Stapleton Award for Faculty Excellence and he has twice been elected Teacher of the Year by the students at large.
Before joining the faculty, Professor Sagers practiced law for four years in Washington, D.C., first at Arnold & Porter and then at Shea & Gardner. He earned his law and public policy degrees at the University of Michigan and was an editor of the Michigan Law Review. Hailing originally from the peaceful obscurity of small-town Iowa, Professor Sagers lives with his wife and two sons in the nicest little town in America, Cleveland Heights, Ohio.
Edward J. Phelps Professor of Law and Economics and Kauffman Distinguished Research Scholar in Law, Economics, and Entrepreneurship, Yale Law School
Professor George L. Priest passed away on Dec. 17, 2024. Please read his obituary here.
George L. Priest is the Edward J. Phelps Professor of Law and Economics and Kauffman Distinguished Research Scholar in Law, Economics, and Entrepreneurship at Yale Law School. An internationally recognized expert, Professor Priest has focused his research over the past two decades on antitrust, the operation of private and public insurance, and the role of the legal system in promoting economic growth. He joined Yale Law School in 1981 and is co-director of the John M. Olin Center for Law, Economics and Public Policy, which facilitates the scholarly work of the Yale law and economics faculty and supports student interest and research in the field. Before coming to Yale, Professor Priest taught law at the University of Chicago, SUNY/Buffalo, and UCLA. His subject areas are antitrust; capitalism; regulated industries; torts; and insurance and public policy. Professor Priest holds a B.A. from Yale and a J.D. from the University of Chicago.
Executive Director, Committee for Justice
Ashley Baker serves as Executive Director at the Committee for Justice. Her focus areas include the Supreme Court, regulatory policy, antitrust, and judicial nominations. Her writing has appeared in Fox News, USA Today, The Boston Globe, The Hill, RealClearPolitics, The American Spectator, and elsewhere. Ashley is also the founder of the recently-formed Alliance on Antitrust coalition. She has testified before the United States Senate on the topic of antitrust law.
Ashley is an active member of the Federalist Society, where she serves as a member of the Regulatory Transparency Project's Antitrust & Consumer Protection and Cyber & Privacy working groups. As a member of the Republican National Lawyers Association, she has served as a speaker on the Supreme Court and the federal judiciary.
As an expert on the judicial nominations process, Ashley worked closely on the efforts to confirm Justices Neil Gorsuch and Brett Kavanaugh.
Much of Ashley’s work is at the intersection of the courts, regulation, and technology. Ashley also engages in policy analysis and outreach on legislation and regulations related to these issues by writing op-eds, letters to Congress for committee hearings, and regulatory comments.
Founder and Managing Principal, Elevecon LLC
Jay Ezrielev is the former economic advisor to Federal Trade Commission Chairman Joseph Simons. He specializes in the economics of industrial organization, econometrics, and antitrust policy. With more than 19 years in economic consulting and government, Dr. Ezrielev has advised clients on numerous high-profile antitrust and other matters. He has worked with many Fortune 500 companies. Dr. Ezrielev participated in drafting the Vertical Merger Guidelines. Dr. Ezrielev has extensive experience leading economic analyses, providing agency advocacy, assisting in preparation of expert reports and testimony, advising counsel on expert examinations, developing economic models, and performing econometric analysis of large data sets. He has been retained on a wide range of matters, including merger reviews, monopolization litigation, regulatory hearings, price–fixing litigation, intellectual property matters, contractual disputes, and class certification matters. He also taught financial economics as adjunct professor at Johns Hopkins University. Dr. Ezrielev earned a Ph.D. in Economics from New York University, an M.S. in Electrical Engineering from Rutgers University, and a B.S. in Electrical Engineering from Rutgers University. Dr. Ezrielev previously worked as a scientist and software developer at Siemens Medical Systems and Goldman Sachs.
Partner, Cleary Gottlieb Steen & Hamilton LLP
D. Bruce Hoffman’s practice focuses on antitrust enforcement, including merger clearance and conduct investigations, and antitrust and other complex commercial litigation.
Bruce joined the firm as a partner after serving as Director of the Federal Trade Commission’s Bureau of Competition from August 2017 until late December of 2019. As Director, he was the head of the FTC’s antitrust enforcement and was responsible for developing Bureau policy, supervising all of the Bureau’s investigations and litigation, and conducting high-level relations with other leading antitrust enforcers, including the U.S. Department of Justice Antitrust Division, the Directorate-General for Competition of the European Commission and other international enforcers, and state Attorneys General, as well as communications with Congress. Bruce also spearheaded the creation of the Bureau of Competition’s Technology Task Force (now known as the Technology Enforcement Division) to monitor competition in U.S. technology markets, investigate potential anticompetitive conduct in those markets, and take enforcement actions when warranted.
Bruce’s role as Bureau Director was his second stint at the FTC. He previously served at the agency from 2001-2004, starting as Associate Director for Regional Litigation and then being elevated to Deputy Director of the Bureau of Competition. In these roles, Bruce oversaw the Bureau’s programs, activities, and investigations. He also led numerous high-profile cases involving mergers, price fixing, monopolization, conspiracies, and other issues in a broad range of industries, and he participated in amicus brief efforts before the U.S. Supreme Court.
Prior to joining the FTC in 2001, and then again from 2005 to 2017, Bruce developed and led successful antitrust practices as a partner at leading global law firms. Bruce had an extensive merger review practice, including transactions before the DOJ, FTC, EC, several U.S. states, and other enforcers. He also has wide-ranging experience in high-profile antitrust litigation and investigations, including representing clients in some of the largest antitrust class actions ever filed, as well as competitor lawsuits and conduct investigations. Bruce has handled every aspect of federal and state court litigation, including appellate arguments, jury and bench trials, and numerous court hearings and arguments, as well as arbitration proceedings.
Policy Counsel, Public Knowledge
Alex is a Policy Counsel at Public Knowledge, where he focuses on digital platform competition issues. Prior to joining Public Knowledge, Alex worked for Senator Amy Klobuchar, Senator Richard Blumenthal, the House Committee on Oversight and Reform, and Senator Joe Donnelly. Alex received his J.D., cum laude, from Georgetown University Law Center and his B.A. from Yale College in Economics and Political Science with distinction. He was born and raised in Lexington, KY and enjoys Kentucky basketball, trivia, fantasy football, and romantic comedies.
Professor of Law, Mississippi College School of Law
Professor Anderson's scholarship focuses on securities enforcement, white-collar crime, and intersections of law and philosophy (e.g., business ethics, constitutionalism, problems of pluralism, and human rights). His recent articles address the law and ethics of insider trading, the problem of how to build a just and enduring constitutional order in the face of increasing religious and cultural pluralism, and the theoretical underpinnings of our international human rights regime.
He has been published in leading peer-reviewed journals (e.g., Law & Philosophy, Journal of Law and Religion, and Contemporary Pragmatism) and in top law journals (most recently in the Journal of Corporation Law, Virginia Law & Business Review, Washington University Journal of Law & Policy, Temple Law Review, Utah Law Review, and University of Miami Law Review). Professor Anderson recently published a book with Cambridge University Press, Insider Trading: Law Ethics and Reform, and he is a frequent contributor to the Columbia Law School Blue Sky Blog.
Professor Anderson teaches Business Associations, Contracts, Constitutional Law, Comparative Constitutional Law, Evidence, International Human Rights, Jurisprudence, Securities Regulation, and White Collar Crime. He has won numerous teaching awards and was most recently voted Law School Professor of the Year for 2018-2019, and Mississippi College Distinguished Professor of the Year for 2018-2019.
Assistant Professor of Law, Michigan State University College of Law
Kevin Douglas is an Assistant Professor of Law at MSU College of Law and former Visiting Assistant Professor at Scalia Law School. He practiced law in Dallas, Texas for two years, where he represented clients in a wide variety of corporate and securities transactions. He is a graduate of Stanford Law School and earned both a bachelor’s degree in management and an MBA from Florida A & M University. His research focuses on contemporary legal and policy issues in business organization law and securities regulations.
Sam Harris Professor of Corporate Law, Corporate Finance, and Securities Law, Yale Law School
Jonathan R. Macey is Sam Harris Professor of Corporate Law, Corporate Finance, and Securities Law at Yale University, and Professor in the Yale School of Management. From 1991 – 2004, Professor Macey was J. DuPratt White Professor of Law, Director of the John M. Olin Program in Law and Economics at Cornell Law School, and Professor of Law and Business at the Cornell University Johnson Graduate School of Business. Professor Macey earned his B.A. cum laude from Harvard in 1977, and his J.D. from Yale Law School in 1982, where he was Article and Book Review editor of The Yale Law Journal. In 1996, Professor Macey received a Ph.D. honoris causa from the Stockholm School of Economics. Following law school, Professor Macey was law clerk to Judge Henry J. Friendly on the U.S. Court of Appeals for the Second Circuit.
Professor Macey is the author of several books including the two-volume treatise, Macey on Corporation Laws, published in 1998 (Aspen Law & Business), and co-author of two leading casebooks, Corporations: Including Partnerships and Limited Liability Companies (2003 Thomson West), which is in its eighth edition, and Banking Law and Regulation (2002 Aspen Law & Business), which is now in its third edition. He also is the author of over 100 scholarly articles. His recent articles have appeared in the Banking Law Journal, the University of Chicago Law Review, the Stanford Law Review, The Yale Law Journal, the Cornell Law Review, the Journal of Law and Economics, and the Brookings Wharton Papers on Financial Institutions. He has published numerous editorials in such publications as The Wall Street Journal, Forbes, The Los Angeles Times, and The National Law Journal.
Professor Macey has taught at major universities throughout the world, including Bocconi University (Milan), the University of Tokyo; the University of Toronto; the University of Turin, the University of Amsterdam Department of Finance, and the Stockholm School of Economics, Department of Law. He also has been Professor of Law at the University of Chicago (1990) and Visiting Professor of Law at Harvard Law School (1999). Professor Macey is a Senior Research Fellow at the International Centre for Economic Research (ICER) in Turin, Italy. Professor Macey also serves on the Academic Advisory Board (Comitato Scientifico) of the Associazione Disiano Preite for the study of corporate law (per lo studio del diritto dell’impresa). In 1995, Professor Macey was awarded the Paul M. Bator prize for excellence in Teaching, Scholarship and Public Service by the Federalist Society for Law and Public Policy. In 1996, he received a Ph.D., honoris causa from the Stockholm School of Economics. And in 1998, he received the D.P. Jacobs prize for the most significant paper in volume 6 of the Journal of Financial Intermediation for his paper (co-authored with Maureen O’Hara), “The Law & Economics of Best Execution.”
In 1999 Professor Macey was made an honorary Fellow of the Society For Advanced Legal Studies. In 2000, Professor Macey became a member of the Legal Advisory Committee to the Board of Directors of the New York Stock Exchange. In 2001 Professor Macey was appointed a Bertil Daniellson Distinguished Visiting Professor in Banking and Finance at the Stockholm School of Economics. In 2002 Professor Macey was appointed to the Economic Advisory Board of the National Association of Securities Dealers (NASD). In 2004 Professor Macey was awarded a Teaching Award by the Yale Law Women in recognition of his “commitment to excellence in teaching, mentoring and inspiring.” In 2005 Professor Macey became a member of the Board of Editors of Thomson West Publishing Company.
Partner, Gibson, Dunn & Crutcher, LLP
Svetlana S. Gans is a partner in the Washington, D.C. office of Gibson, Dunn & Crutcher, LLP where she helps clients navigate complex consumer protection, privacy, and competition related regulatory proceedings before the U.S. Federal Trade Commission (FTC), , U.S. Department of Justice Antitrust Division, State Attorneys General and other enforcement bodies. Ms. Gans also assists on litigation matters and provides strategic counseling and advice related to public policy issues.
Before joining Gibson Dunn, she served as the Vice President & Associate General Counsel at NCTA, the Internet & Television Association, where she helped lead the association’s consumer protection and competition policy work. Prior to joining NCTA, Ms. Gans served with distinction as Chief of Staff to Acting Chairman Maureen K. Ohlhausen at the FTC. As the agency chief of staff, Ms. Gans managed and oversaw agency operations, including bureau and office heads reporting to the Chairman, a seven-member office staff, and an agency budget of over $300 million. She also served as the Acting Chairman’s key advisor on consumer protection and competition investigations and litigation, working with a diverse team of attorneys and economists to preserve competition and protect U.S. consumers. She created, executed, and oversaw several strategic initiatives for the agency, including the agency process reform, regulatory reform, and data security transparency initiatives. Previously, Ms. Gans had the unique experience of serving in both litigating bureaus of the FTC: the Bureau of Competition and the Bureau of Consumer Protection.
Prior to her time in government, Ms. Gans worked as an antitrust associate at major law firms. Her practice focused on defending consumer product, financial services, and trade association clients in regulatory and private investigations alleging conspiracy and violations of antitrust and consumer protection laws.
Ms. Gans has been an active leader in the ABA Antitrust Law Section (“Section”) for two decades, and currently serves as the Section’s Marketing Officer. Ms. Gans helped create the Section’s Young Lawyer Representative Program, now in its 10th year, and the Section’s Law Ambassador Program, each aimed at developing and promoting the next generation of consumer protection and competition attorneys. Ms. Gans is also active in the Federal Communications Bar Association, currently serving as Co-Chair of the Diversity Pipeline Initiative and the Women’s Leadership Committee.
Ms. Gans received her law degree with high honors from the University of Denver College of Law. During law school, Ms. Gans served as a Judicial Intern to the Honorable John L. Kane, Jr. and as an Honors Program Paralegal for the United States Department of Justice Antitrust Division, Merger Taskforce. Ms. Gans earned her undergraduate degree cum laude from Boston University.
Elizabeth and Thomas Holder Chair, Scheller College of Business, Georgia Institute of Technology
Peter Swire has been a leading privacy and cyberlaw scholar, government leader, and practitioner since the rise of the Internet in the 1990’s. He came to the Georgia Institute of Technology in 2013, where he is the Elizabeth and Tommy Holder Chair in the Scheller College of Business, and Professor in the School of Cybersecurity and Privacy. He is senior counsel with the law firm of Alston & Bird LLP.
Swire served as one of five members of President Obama’s Review Group on Intelligence and Communications Technology. Prior to that, he was co-chair of the global Do Not Track process for the World Wide Web Consortium. He is a Senior Fellow with the Future of Privacy Forum, and has served on the National Academy of Sciences & Engineering Forum on Cyber Resilience.
Under President Clinton, Swire was the Chief Counselor for Privacy, in the U.S. Office of Management and Budget, the first person to have U.S. government-wide responsibility for privacy policy. Under President Obama, he was Special Assistant to the President for Economic Policy.
Professor of Economics, Stuart School of Business, Illinois Institute of Technology
Liad Wagman is Professor of Economics at the Illinois Institute of Technology’s Stuart School of Business.
Professor Wagman works on topics in the areas of Information Economics, Industrial Organization, Law and Economics, and Entrepreneurship, studying issues of data and privacy, information trade and utilization, and new venture financing. He is a recipient of the Sigma Xi Excellence in Research Award, the Bauer Family University Excellence in Teaching Award, the Yahoo Faculty Research and Engagement Award, and has been selected into Poet & Quants 2015 Top 40 Business School Faculty Under 40.
Professor Wagman is the Senior Economic and Technology Advisor of the Federal Trade Commission’s Office of Policy Planning, and was a Visiting Associate Professor of Executive Education and Managerial Economics & Decision Sciences at Northwestern University’s Kellogg School of Management, a Visiting Scholar at the Duke University Economics Department, a research fellow at the Duke University Computer Science Department, a research fellow at the Duke University Social Sciences Research Institute, a recipient of the Program for Advanced Study in the Social Sciences Fellowship, a recipient of the Education and Research Initiative Award, a recipient of the Institute of Industrial and Systems Engineers Best Paper Award, and a recipient of the International Conference on Artificial Intelligence Outstanding Paper Award.
Professor Wagman’s work is published in academic journals in economics, finance, operations research, and marketing, including the RAND Journal of Economics, the American Economic Journal: Microeconomics, the Journal of Corporate Finance, and Marketing Science.
Senior Counsel, Future of Privacy Forum
Dr. Gabriela Zanfir-Fortuna is Senior Counsel for the Future of Privacy Forum, where she leads the work on Global privacy developments and European data protection law and policy, with their impact on all focus areas of FPF, including de-identification, AI, mobility, adtech and education.
Prior to moving to the US in 2016, Gabriela worked for the European Data Protection Supervisor in Brussels, being part of the team that advised the EU legislator on the GDPR during its legislative process. She dealt with both enforcement and policy matters, was a member of the EDPS litigation team, as well as actively participated in the work of the Article 29 Working Party. She worked on the assessments of both the draft EU-US Privacy Shield and the draft EU-US Umbrella Agreement during her time at the EDPS and the Article 29 Working Party.
Gabriela is currently serving as a Program Chair (Law) for the ACM Fairness, Accountability and Transparency Conference 2020 and she served as a member of the Program Advisory Committee for the ICDPPC 2019 Conference in Tirana. She is also a member of the Program Committee of PLSC Europe, CPDP – academic track, ACM – AIES 2020 and the ENISA Annual Privacy Forum.
She holds a PhD in law (2013, University of Craiova) with a thesis on the rights of the data subject from the perspective of their adjudication in civil law and an LLM in Human Rights (2010), after obtaining her law degree at the same university (2009). She is also an associated researcher with the Law, Science, Technology and Society Center at Vrije Universiteit Brussel and a Project Scientist supporting the IoT Privacy Infrastructure Project within the Institute for Software Research of Carnegie Mellon University.
Gabriela is a contributor-author to ‘The EU General Data Protection Regulation – A Commentary‘, edited by C. Kuner, C. Docksey and L.A. Bygrave, Oxford University Press, 2020 (on Articles 13, 14, 15, 21 and 82). She is also the author of the volume ‘Protecția Datelor Personale. Drepturile Persoanei Vizate‘, C.H. Beck, Bucharest, 2015.
Deep Dive Episode 144 – United States v. Google: Examining the Historic Antitrust Case Against Big Tech
Geoffrey A. Manne, A. Douglas Melamed, Christopher L. Sagers, Brianna Hills Simopoulos
Regulatory Transparency Project's Fourth Branch Podcast
On October 20, 2020, the Department of Justice (DOJ) filed its much-anticipated lawsuit against Google....
Topics
The House Staff Antitrust Report Will Negatively Affect More Than the Tech Industry
That's Debatable is a new blog initiative bringing together legal and policy experts with differing perspectives...
United States v. Google: Examining the Historic Antitrust Case Against Big Tech
Brianna Hills Simopoulos, Geoffrey A. Manne, Nicholas Marr, A. Douglas Melamed, Christopher L. Sagers
Corporations, Securities & Antitrust Practice Group and the Regulatory Transparency Project
On October 30, 2020, the Federalist Society's Corporations, Securities & Antitrust Practice Group and the...
United States v. Google
George L. Priest
Corporations, Antitrust & Securities Practice Group and The Bork Foundation Teleforum
This week, the United States Department of Justice launched its rumored antitrust law suit against...
Topics
The DOJ’s Weak Case Against Google
That's Debatable is a new blog initiative bringing together legal and policy experts with differing...
Deep Dive Episode 141 – Interoperability and Data Sharing: An Antitrust Remedy in Search of a Market Problem?
Ashley Baker, Jay Ezrielev, Bruce Bruce Hoffman, Alex Petros
A Regulatory Transparency Project Teleforum
Data portability has been a hot topic of late, from GDPR to CCPA to the...
Topics
Why the Shareholder Primacy Model of Corporate Governance Allows for More Environmentally Conscious Firms
The Federalist Society is pleased to announce its Student Blog Initiative, a project of the...
The Economics and Ethics of Insider Trading Reform
John Anderson, Kevin R. Douglas, Jonathan R. Macey
There was surprising momentum on the issue of insider trading reform at the start of 2020. On December...
Topics
Changes Coming to Hart-Scott-Rodino Pre-Merger Notification Rules?
The Hart-Scott-Rodino Antitrust Improvements Act of 1976 (HSR) has long regulated mergers and acquisitions by subjecting...
Deep Dive Episode 139 – Implications of Data Portability: A Consumer Protection Tool or Burden?
Svetlana Gans, Peter Swire, Liad Wagman, Gabriela Zanfir-Fortuna
A Regulatory Transparency Project Teleforum
Data portability has been a hot topic of late, from GDPR to CCPA to the...